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Research Papers
| Date |
Title |
| Apr. 27, 2009 | Questionnaire Survey on Business Continuity Management (November 2008) |
| Jul. 8, 2008 | Toward Effective Business Continuity Management: A Check list and Instructive Practices |
| Mar. 19, 2008 | Securitized-Product Investment: Risk Management Perspectives |
| Dec. 26, 2007 | Hedge Fund Investments: Risk Management Perspectives |
| Dec. 26, 2007 | The Effect of the Choice of the Loss Severity Distribution and the Parameter Estimation Method on Operational Risk Measurement - Analysis Using Sample Data - |
| Jul. 27, 2007 | Questionnaire Survey on Business Continuity Management (December 2006) |
| Dec. 28, 2005 | The Expansion of Corporate Groups in the Financial Services Industry: Trends in Financial Conglomeration in Major Industrial Countries |
| Jul. 23, 2004 | Overview of Japanese Banks: Observations from Financial Statements for Fiscal 2003 |
| Apr. 28, 2003 | Evaluating the Economic Value of Loans and the Implications: Toward Transformation of the Business Model of Banks and Nonbank Firms |
| Apr. 8, 2002 | Japanese Financial Institutions' Efforts to Address Their Management Tasks |
| Apr. 18, 2000 | The Importance of Information Security for Financial Institutions and Proposed Countermeasures --With a Focus on Internet-Based Financial Services-- |
| Dec. 1, 1998 | Checklist for Risk Management (Revised 1998 Edition) |
| Feb. 27, 1998 | Utilization of Financial Institutions' Self-Assessment in Enhancing Credit Risk Management |
| Feb. 28, 1997 | Risk Disclosure by Financial Institutions |
| Nov. 29, 1996 | Checklist for Risk Management (Revised Edition) |
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| Date |
Title |
| Sep. 21, 2007 | Developments in a Cross-Border Bank Exposure "Network" |
| May 7, 2007 | A Contemporary Aspect of Japanese Commercial Banking: Expansion of Fee-Based Business and Its Impact on Management Stability |
| Mar. 29, 2007 | Distortions in Resource Allocation and Bank Lending: The Malfunction of Financial Intermediation |
| Nov. 10, 2006 | An Efficient Monte Carlo Method for a Large and Nongranular Credit Portfolio |
| Oct. 12, 2006 | The Role of Trade Credit for Small Firms: An Implication from Japan's Banking Crisis |
| Apr. 20, 2006 | Estimating Continuous Time Transition Matrices From Discretely Observed Data |
| Sep. 30, 2005 | Impaired Bank Health and Default Risk |
| Jun. 3, 2005 | Monetary Policy Uncertainty and Market Interest Rates |
| Apr. 21, 2005 | The Effects of the Bank of Japan's Zero Interest Rate Commitment and Quantitative Monetary Easing on the Yield Curve: A Macro-Finance Approach |
| Apr. 6, 2004 | Fractal Network derived from banking transaction --An analysis of network structures formed by financial institutions-- |
| Jan. 22, 2003 | Designing New Financial Infrastructure for a New Lending Model |
| Nov. 16, 2001 | Insights into the Low Profitability of Japanese Banks: Some Lessons from the Analysis of Trends in Banks' Margins |
| Oct. 18, 2001 | Sectoral Credit Shifts in Japan: Causes and Consequences of Their Decline in the 1990s |
| Mar. 23, 2001 | Internal Measurement Approach to Operational Risk Capital Charge |
| Mar. 2, 2001 | Bank of Japan EMEAP High-Level Workshop on Development of Information Technology and Central Banking (October 2-3, 2000): Opening Remarks |
| Sep. 8, 2000 | Challenges and Possible Solutions in Enhancing Operational Risk Measurement |
| Aug. 9, 2000 | Internal Risk Based Approach --Evolutionary Approaches to Regulatory Capital Charge for Operational Risk-- |
| Jul. 14, 2000 | Measuring Operational Risk in Japanese Major banks |
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| Date |
Title |
| Aug. 13, 2009 | Financial Statements of Japanese Banks for Fiscal 2008 |
| Sep. 16, 2008 | Business Conditions of Japanese Banks and Their Challenges |
| Jul. 16, 2008 | Cross-currency transmission of money market tensions |
| Nov. 7, 2007 | Monitoring Commodity Markets From the Perspective of Understanding Global Financial Market Trends |
| Mar. 30, 2007 | Bank Profits in Japan from the Perspective of ROE Analysis |
| Dec. 4, 2006 | Changes in Hedge Fund Investment Behavior and the Impact on Financial Markets Position Concentration, Expanded Scope, and Market Liquidity Risk |
| Dec. 13, 2002 | What do we learn about current developments in the bank lending market in Japan from BOJ's Senior Loan Officer Opinion Survey? |
| Dec. 6, 2002 | Implications of a Macro Stress Test on Financial Stability: Summary of the second census on stress tests |
Related Contents on Financial System Stability
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